Please use this identifier to cite or link to this item:
http://elibrary.gci.edu.np/handle/123456789/3637
Full metadata record
DC Field | Value | Language |
---|---|---|
dc.contributor.author | Pfaff, Bernhard | - |
dc.date.accessioned | 2021-09-10T06:18:21Z | - |
dc.date.available | 2021-09-10T06:18:21Z | - |
dc.date.issued | 2021-09-09 | - |
dc.identifier.uri | http://elibrary.gci.edu.np/handle/123456789/3637 | - |
dc.language.iso | en | en_US |
dc.title | Financial Risk Modelling and Portfolio Optimization with R | en_US |
dc.type | Book | en_US |
Appears in Collections: | E- Books |
Files in This Item:
File | Description | Size | Format | |
---|---|---|---|---|
Financial Risk Modelling and Portfolio Optimization with R by Bernhard Pfaff.pdf Restricted Access | 5.38 MB | Adobe PDF | View/Open Request a copy |
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